Precision Global ApS — Credit Rating and Financial Key Figures

CVR number: 38717723
Hellebarden 6 B, 9230 Svenstrup J
info@ptdefence.com
tel: 70605111
www.ptdefence.com

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-1 860.39232.3910 958.7814 004.70454.57
Employee benefit expenses-1 557.21-1 674.24-2 856.91-4 030.98-5 930.26
Total depreciation-87.55- 111.79- 120.07- 211.96- 725.99
EBIT-3 505.15-1 553.647 981.799 761.77-6 201.68
Other financial income177.91224.352 646.681 596.501 501.09
Other financial expenses- 351.84- 294.79-3 128.63-3 993.81-2 830.18
Net income from associates (fin.)5 110.605 396.2821 011.1513 763.0117 768.29
Pre-tax profit1 431.513 772.1928 510.9921 127.4710 237.52
Income taxes341.33355.18-1 845.19-1 500.571 644.10
Net earnings1 772.854 127.3826 665.8119 626.9111 881.63

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights133.871 159.29
Intangible assets total133.871 159.29
Buildings3 510.58
Machinery and equipment443.85367.41309.83
Tangible assets total443.85367.41309.833 510.58
Holdings in group member companies18 668.8124 348.7139 530.2537 620.8955 155.30
Investments total18 668.8124 543.2739 921.8837 710.5261 071.13
Long term receivables total
Inventories total
Current amounts owed by group member comp.4 526.828 976.49103 387.9516 509.1329 912.47
Prepayments and accrued income302.15236.14199.82562.47517.38
Current other receivables110.3033.32393.87110.72
Current deferred tax assets1 056.081 235.145 335.174 051.184 438.06
Short term receivables total5 885.0510 558.07108 956.2521 516.6534 978.64
Cash and bank deposits59.80329.02191.75935.6566.36
Cash and cash equivalents59.80329.02191.75935.6566.36
Balance sheet total (assets)25 057.5135 797.77149 379.7260 296.69100 785.99

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.0050.00
Shares repurchased19 000.0010 000.005 600.00
Other reserves15 354.6218 790.0114 895.2431 563.1039 543.81
Retained earnings-4 820.19-6 450.32-21 607.28-17 931.30-11 273.08
Profit of the financial year1 772.854 127.3826 665.8119 626.9111 881.63
Shareholders equity total12 357.2716 517.0739 003.7743 308.7045 802.35
Provisions95.0481.00101.81137.5755.64
Non-current deferred tax liabilities700.88
Non-current liabilities total700.88
Current loans from credit institutions36.401.50
Current trade creditors271.09207.13233.36535.341 080.25
Current owed to participating2 041.151 040.403 237.9413 278.4617 625.82
Current owed to group member10 174.6217 898.6399 895.282 129.2834 480.94
Short-term deferred tax liabilities6 798.26467.78
Other non-interest bearing current liabilities118.3453.5572.89499.54572.32
Current liabilities total12 605.2019 199.70110 274.1416 444.1254 227.11
Balance sheet total (liabilities)25 057.5135 797.77149 379.7259 890.39100 785.99
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